Capital Markets, VC Senior Credit Officer, Head
- Verfügbarkeit einsehen
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- 195‐279€/Stunde
- 60314 Frankfurt am Main
- auf Anfrage
- ru | hu | en
- 29.06.2023
Kurzvorstellung
Overseeing the portfolio of credit risk (settlement, PFE, Issuer) across Corporate, FI, NBFI, Sovereign and LRG
Sign-off to limits approval up to $400 mln in settlement risk and up to $200mln in PFE risk
Structuring of complex trades from the r
Sign-off to limits approval up to $400 mln in settlement risk and up to $200mln in PFE risk
Structuring of complex trades from the r
Qualifikationen
Projekt‐ & Berufserfahrung
Capital Markets Senior Risk Officer, Head of Capital Markets (Festanstellung)
VTB Bank Europe SE, Frankfurt am Main
12/2017
–
offen
(7 Jahre)
Tätigkeitszeitraum
12/2017 – offen
Tätigkeitsbeschreibung
o Credit and Market Risk framework set-up for Capital Markets
o Brexit contingency project - business relocation
o Implemented Policies: High Yield & Distressed Debt, Securities Financing Transactions, Structured/Flow Repo, OTC Documentation
o Credit Process Digitalization
o New Products set-up
Kreditmanagement
Zertifikate
German Regulatory Landscape, KWG 18: E&Y
2018
German Regulatory Landscape, KWG 18: E&Y
2018
Über mich
PROFESSIONAL RESPONSIBILITES during over 15 years:
Overseeing the portfolio of credit risk (settlement, PFE, Issuer) across Corporate, FI, NBFI, Sovereign and LRG
Sign-off to limits approval up to $400 mln in settlement risk and up to $200mln in PFE risk
Structuring of complex trades from the risk mitigating perspective as well as credit terms in ISDA/CSA, GMRA, GMSLA
Development of risk processes, rating models, policies and methodologies
Due-Diligence of issuers and counterparties as well as underlying asset/instrument documentation
Designed credit mitigation structures via covenants, securities, subordination
• Co-partnered restructurings across sovereign, corporate and bank sector clients
• Steered credit risk and markets risk, credit rating related projects, policies on behalf of business and risks
ACHIEVMENTS snapshot: Published over 1,000 credit related papers.
VTB Bank Europe SE:
o Credit and Market Risk framework set-up for Capital Markets (Brexit contingency project)
o Implemented Policies: High Yield & Distressed Debt, Securities Financing Transactions, Structured/Flow Repo, OTC Documentation UBS:
o Improved credit risk metrics in $1 bln unfunded “originate-to-distribute” LOC
o Mandated to lead structuring till a successful launch of debut Leveraged Swap with two UCITS funds Sberbank CIB:
o Over USD 250mln delivered in capital release under capital project optimization steering. Novated XCCY,Structured Trades unwind
o Co-Delivered restructuring of $500mln Ukrainian Quasi-Sovereign debt into Sovereign Eurobonds with standalone VRI
o Launched internal publishing on an event specific topics like Italian Banking Crisis, Brexit, Banking stress-test, AT1/Coco Eurobonds
o Top rated credit analyst under internal annual corporate evaluation system “360” three years in a row Bank of Cyprus:
o Outperformed personal PnL plan by 27%. Boosted portfolio`s profit by 30% and reduced duration by over 15%
o Launched bonds trading of 10 new credit names, including debut primary issues, traded 3 XCCY $150m hedging loans from IFC Commerzbank:
o Delivered $110mln restructurings of bonds and XCCYs with 20% higher of estimated Recovery Ratio
o Designed credit risk framework for Financial Institutions Business at newly acquired Ukrainian bank Raiffeisen Bank:
o Issued terms for restructuring of 2 bond holdings that resulted in higher profits at maturity
o Prepared more than 100 of credit recommendations, 18 monthly and 6 quarterly researches
o Launched credit risk research for insurance industry and insurance companies in Ukraine, Russia, Kazakhstan, Belorussia
Overseeing the portfolio of credit risk (settlement, PFE, Issuer) across Corporate, FI, NBFI, Sovereign and LRG
Sign-off to limits approval up to $400 mln in settlement risk and up to $200mln in PFE risk
Structuring of complex trades from the risk mitigating perspective as well as credit terms in ISDA/CSA, GMRA, GMSLA
Development of risk processes, rating models, policies and methodologies
Due-Diligence of issuers and counterparties as well as underlying asset/instrument documentation
Designed credit mitigation structures via covenants, securities, subordination
• Co-partnered restructurings across sovereign, corporate and bank sector clients
• Steered credit risk and markets risk, credit rating related projects, policies on behalf of business and risks
ACHIEVMENTS snapshot: Published over 1,000 credit related papers.
VTB Bank Europe SE:
o Credit and Market Risk framework set-up for Capital Markets (Brexit contingency project)
o Implemented Policies: High Yield & Distressed Debt, Securities Financing Transactions, Structured/Flow Repo, OTC Documentation UBS:
o Improved credit risk metrics in $1 bln unfunded “originate-to-distribute” LOC
o Mandated to lead structuring till a successful launch of debut Leveraged Swap with two UCITS funds Sberbank CIB:
o Over USD 250mln delivered in capital release under capital project optimization steering. Novated XCCY,Structured Trades unwind
o Co-Delivered restructuring of $500mln Ukrainian Quasi-Sovereign debt into Sovereign Eurobonds with standalone VRI
o Launched internal publishing on an event specific topics like Italian Banking Crisis, Brexit, Banking stress-test, AT1/Coco Eurobonds
o Top rated credit analyst under internal annual corporate evaluation system “360” three years in a row Bank of Cyprus:
o Outperformed personal PnL plan by 27%. Boosted portfolio`s profit by 30% and reduced duration by over 15%
o Launched bonds trading of 10 new credit names, including debut primary issues, traded 3 XCCY $150m hedging loans from IFC Commerzbank:
o Delivered $110mln restructurings of bonds and XCCYs with 20% higher of estimated Recovery Ratio
o Designed credit risk framework for Financial Institutions Business at newly acquired Ukrainian bank Raiffeisen Bank:
o Issued terms for restructuring of 2 bond holdings that resulted in higher profits at maturity
o Prepared more than 100 of credit recommendations, 18 monthly and 6 quarterly researches
o Launched credit risk research for insurance industry and insurance companies in Ukraine, Russia, Kazakhstan, Belorussia
Weitere Kenntnisse
Key qualifications and competencies (15 years track):
Credit Trading, Sales, Credit/Market Risk Management
Geography focus: EMEA, CISCEE
Clients: FI, NBFI, Corporates, Sovereign, Venture Capital
Products: Fixed Income, Structured Trades, Derivatives
Legal: LMA, GMRA, GMSLA, ISDA/CSA, Bonds prospects
Tools: Bloomberg, Capital IQ, Fitch, Moody`s Credit Edge
Credit Trading, Sales, Credit/Market Risk Management
Geography focus: EMEA, CISCEE
Clients: FI, NBFI, Corporates, Sovereign, Venture Capital
Products: Fixed Income, Structured Trades, Derivatives
Legal: LMA, GMRA, GMSLA, ISDA/CSA, Bonds prospects
Tools: Bloomberg, Capital IQ, Fitch, Moody`s Credit Edge
Persönliche Daten
Sprache
- Englisch (Fließend)
- Russisch (Muttersprache)
- Ungarisch (Muttersprache)
- Deutsch (Gut)
Reisebereitschaft
auf Anfrage
Arbeitserlaubnis
- Europäische Union
Home-Office
bevorzugt
Profilaufrufe
279
Alter
38
Berufserfahrung
17 Jahre
(seit 11/2007)
Projektleitung
7 Jahre
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